Credit Risk - Portfolio Monitoring

AI overview

Join a dynamic team focusing on portfolio monitoring and risk analytics, leveraging strong analytical skills to identify emerging credit risks and improve portfolio quality.

Role Overview

We are seeking a highly motivated professional to join our Credit Risk – Portfolio Monitoring team. The individual will be responsible for portfolio performance tracking, early warning identification for INDIA Portfolio book. This role requires strong analytical ability, understanding of trade finance structures, and a keen eye for identifying emerging credit risks across counterparties, sectors, and geographies. 


Key Responsibilities

  • Portfolio Monitoring

    • Track and monitor the performance of borrower portfolios.

    • Identify early warning signals (EWS) through financial, transactional and external data.

    • Regularly review obligor and sector exposures to highlight concentration and emerging risk trends.

  • Risk Analytics & Reporting

    • Develop and maintain risk dashboards, MIS, and periodic portfolio health reports. 

    • Perform variance analysis on delinquency, write-offs, recoveries, and performance data

  • Policy & Governance

    • Ensure compliance with credit risk policies and portfolio monitoring frameworks.

    • Recommend risk appetite adjustments, credit triggers, and portfolio-level interventions.

  • Cross-functional Collaboration

    • Work closely with Credit Underwriting, Collections, Risk Analytics, and Business teams to strengthen portfolio quality.

Drip Capital is a Trade Finance company providing collateral-free post-shipment finance to Exporters and Importers with instant approvals and minimal documentation.

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